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A professional resume is easy to read, organised, captivating and all on one page. Discuss FOUR (4) effective features or aspects to include in creating a professional resume with relevant examples

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Answer 1

A professional resume is easy to read, organised, captivating, and all on one page. There are four effective features or aspects to include in creating a professional resume with relevant examples.

1. Clear Formatting and Structure: Use consistent formatting, such as headings, bullet points, and bold text to highlight important information. For example, use a standard font like Arial or Times New Roman in size 11 or 12, and ensure that your sections (e.g., education, experience, skills) are easy to identify and have a logical flow.

2. Tailored Content: Customize your resume for each job application by focusing on the skills, qualifications, and experiences that are most relevant to the position.

For instance, if you're applying for a marketing position, emphasize your accomplishments in previous marketing roles, such as increasing brand awareness or implementing successful advertising campaigns.

3. Quantifiable Achievements: Use numbers, percentages, or other quantifiable metrics to demonstrate your accomplishments and show the impact you've made in your previous roles.

For example, instead of saying "managed a sales team," say "led a sales team of 10 people and increased revenue by 25% in one year."

4. Concise and Precise Language: Be concise in your descriptions and avoid using unnecessary jargon or buzzwords. Make every word count by using clear and precise language to describe your experiences and achievements.

For example, instead of saying "I was responsible for managing the company's social media presence," say "developed and executed social media strategy, resulting in a 20% increase in engagement."

By incorporating these four features into your professional resume, you will create an organized, captivating, and easy-to-read document that effectively showcases your skills and accomplishments, all on one page.

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Related Questions

A project is expected to generate annual revenues of $120,900, with variable costs of $76,000, and fixed costs of $16.500. The annual depreciation is $4.050 and the tax rate is 40 percent What is the annual operating cash flow? Ο $18,660 Ο $46,520 Ο $32.450 Ο $28.400 S63,020

Answers

The annual operating cash flow for the given project is $18,660. Therefore, the correct option is option 1.

It is given that a project has an annual revenues of $120,900, variable costs of $76,000, fixed costs of $16,500, annual depreciation of $4,050, and a tax rate of 40 percent.

To calculate the annual operating cash flow follow these steps:

1. Calculate the Earnings Before Interest and Taxes (EBIT):

EBIT = Revenues - Variable Costs - Fixed Costs

EBIT = $120,900 - $76,000 - $16,500

EBIT = $28,400

2. Calculate the Earnings Before Taxes (EBT):

EBT = EBIT - Depreciation

EBT = $28,400 - $4,050

EBT = $24,350

3. Calculate the Taxes:

Taxes = EBT * Tax Rate

Taxes = $24,350 * 0.4

Taxes = $9,740

4. Calculate the Net Income:

Net Income = EBT - Taxes

Net Income = $24,350 - $9,740

Net Income = $14,610

5. Calculate the annual Operating Cash Flow (OCF):

OCF = Net Income + Depreciation

OCF = $14,610 + $4,050

OCF = $18,660

So, the annual operating cash flow for this project is option 1: $18,660.

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celia has been married to daryl for 52 years. the couple has lived in their current home for the last 20 years. in october of year 0, daryl passed away. celia sold their home and moved into a condominium. what is the maximum exclusion celia is entitled to if she sells the home on december 15 of year 1?

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Based on the information given, Celia owned and used the home as her primary residence for at least two out of the five years before the sale. Therefore, she may be eligible for a maximum exclusion of $250,000 from the sale of her home.

However, since Daryl passed away in October of year 0, Celia may be entitled to an increased exclusion amount. When a taxpayer sells a home after the death of their spouse, the maximum exclusion amount is increased to $500,000 if the sale occurs within two years of the spouse's death, and the taxpayer has not remarried since the spouse's death.

Since Celia sold the home on December 15 of year 1, which is within two years of Daryl's death in October of year 0, and she did not remarry after his death, she may be eligible for the increased exclusion amount of $500,000.

However, there may be other factors that could affect Celia's eligibility for the exclusion, such as whether she used the home for business or rental purposes, or whether she has already used the exclusion on a previous home sale. Therefore, it is recommended that Celia consults with a tax professional for more specific guidance based on her individual circumstances.

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John and Mary both enjoyed professional careers. They had their first child at the age of 28 John had life insurance coverage from work, but Mary did not. A) Does Mary need to have personal life insurance coverage? B) If Mary does decide to get life insurance, what are some of the things she should considered when determining what amount she should have?

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A) Yes, Mary should have personal life insurance coverage as both she and John have dependents and unexpected events can happen at any time.

B) When determining the amount of life insurance coverage she needs, Mary should consider her family's financial needs, such as mortgage payments, childcare, and education expenses.

She should also factor in her income, debts, and any future financial obligations. Consulting with a financial advisor can help her determine the appropriate amount of coverage.

It's important to note that life insurance coverage should be regularly reviewed and adjusted as financial circumstances change over time.

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doing whatever is necessary to transfer ownership from one party to another, including providing credit, delivery, installation, guarantees, and follow-up services.
possession utility place utility Form Utility
information utility

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Possession utility is doing whatever is necessary to transfer ownership from one party to another, including providing credit, delivery, installation, guarantees, and follow-up services.

The amount of usefulness or perceived worth a consumer obtains from possessing and being able to utilise a particular product is known as possession utility. This utility's fundamental tenet is that customers need to be able to utilise a certain good or service as soon as they are able to buy it or receive it.

For instance, if the most recent iPhone is backordered by Apple and can't be produced and sent to the customer in a timely manner, the product won't be very useful to the buyer. So, it is crucial for businesses to make their products easier to own, as this raises the product's usefulness as a possession or perceived value.

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Possession utility is necessary to transfer ownership from one party to another, including providing credit, delivery, installation, guarantees, and follow-up services.

The value that is produced for consumers by giving a buyer ownership of a good or service is referred to as possession utility. This comprises all actions required to complete the transfer, such as giving credit, making a delivery, setting up an installation, offering guarantees, and providing after-sale services. One of the four forms of utility that are frequently used to describe the value produced for clients through the marketing of goods and services is possession utility. Form utility, location utility, and time utility are the other three categories of utility. Businesses may guarantee that their consumers obtain the goods or services they require and are happy with their purchasing experience by offering possession utility.

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What are ways that risks can be minimized by the company
management ( Hermes company )

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The management of Hermes company can minimize risks through various strategies. These include conducting thorough risk assessments, implementing internal controls, maintaining adequate insurance coverage, fostering a strong risk management culture, and regularly monitoring and updating risk mitigation plans.

How Hermes company minimizes risk

Hermes, a luxury goods company, can minimize risks through various strategies.

Firstly, they can conduct regular risk assessments to identify potential threats and vulnerabilities. This allows them to develop appropriate risk management plans and allocate resources accordingly.

Secondly, they can implement effective internal controls, such as segregation of duties, to prevent fraud or errors.

Thirdly, they can ensure compliance with laws and regulations to avoid legal and reputational risks.

Fourthly, they can implement proper training and development programs for employees to ensure they are equipped with the necessary skills to manage risks.

Fifthly, they can diversify their product lines and markets to reduce reliance on a single product or market.

Lastly, they can have crisis management plans in place to respond quickly and effectively to any unexpected events. By implementing these measures, Hermes can minimize risks and maintain its reputation as a leading luxury brand.

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Question 10 (1 point) Suppose a firm produces two goods, A and B. If they produce the goods jointly, the total cost is TC = 100+ 50Q AQB - VAQB If they produce the goods separately, the total cost of

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In this scenario, the firm's total cost (TC) of producing both goods A and B jointly is represented by the equation TC = 100 + 50Q_AQB - VAQB.

However, if the firm decides to produce goods A and B separately, then the total cost would change. Without specific information on the cost of producing each good individually, it is difficult to calculate the exact cost of producing the goods separately.

However, we can assume that the cost of producing both goods separately would likely be higher than the joint production cost as there would be additional fixed costs associated with producing each good separately.

Overall, it is important for firms to consider the costs and benefits of joint versus separate production when making production decisions.

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What is the futuro equivalent of $2,000 invested at 8% simple interest per year for four (4) years? a. FW- $1,640 b. FW = $3,640 FW = $2,040 O d. FW $2,640

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The future value (FW) of the investment after four years is $2,640. So, the correct answer is option d.

To calculate the future equivalent of $2,000 invested at 8% simple interest per year for four (4) years, we can use the formula: FW = PV x (1 + i x n) Where FW is the future worth, PV is the present value (in this case, $2,000), i is the interest rate (8% or 0.08), and n is the number of years (4).

Plugging in the numbers, we get:
FW = $2,000 x (1 + 0.08 x 4)
FW = $2,000 x 1.32
FW = $2,640

Alternatively, we can also use FW = P + (P * r * t) Where: FW = future value, P = principal (initial investment), r = interest rate per year (as a decimal), t = time in years. Now, let's plug in the given values: P = $2,000, r = 8% = 0.08, t = 4 years
FW = 2000 + (2000 * 0.08 * 4)
FW = 2000 + (160 * 4)
FW = 2000 + 640. The future value (FW) of the investment after four years is $2,640. So, the correct answer is d. FW = $2,640.

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Aregistered bond is a bond registered with the trustee of the bondissue. True or FalseBonds are long-term liabilities of the issuer of the bonds.True or False

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The statement "A registered bond is a bond registered with the trustee of the bond issue" is true because a registered bond is a bond that is registered with the trustee of the bond issue.The statement "Bonds are long-term liabilities of the issuer of the bonds" is true because bonds are typically issued with a maturity date of more than one year, making them long-term liabilities for the issuer.

A registered bond is a bond that is registered with the trustee of the bond issue, which means that the owner's information is recorded with the trustee, and interest payments and principal repayment are made directly to the owner.

This is in contrast to bearer bonds, which do not have registered owners, and interest payments are made to whoever holds the physical bond certificate.

Bonds are long-term debt securities issued by corporations, municipalities, and government entities to raise capital. They are considered long-term liabilities of the issuer since they have a maturity date that extends beyond one year from the date of issuance.

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Mr. Smith purchased 50 shares of a company at $102 per share. The stock was bought on 50 percent
initial margin. The call money rate on the margin loan is 2%. Mr. Smith received a dividend of $0.50 per
share. He sold the shares at $108 per share. He paid commissions of $0.20 per share on the purchase and
$0.20 per share on the sale of the stock. What was the rate of return on this investment? (Show your
work)

Answers

The rate of return on Mr. Smith's investment was approximately 3.77%.

To calculate the rate of return, we need to calculate the total cost, proceeds, and interest paid on the margin loan.

Total cost = (50 shares x $102 per share) + ($0.20 commission per share x 50 shares) = $5,140 + $10 = $5,150

Total proceeds = (50 shares x $108 per share) - ($0.20 commission per share x 50 shares) = $5,400 - $10 = $5,390

Interest paid on the margin loan = ($5,140 x 0.5 x 0.02) + ($2,570 x 0.02) = $51.40 + $51.40 = $102.80

Dividend received = $0.50 per share x 50 shares = $25

Net proceeds = total proceeds - total cost - interest paid + dividend received = $5,390 - $5,150 - $102.80 + $25 = $162.20

Rate of return = (net proceeds / total cost) x 100% = ($162.20 / $5,150) x 100% = 3.77%

Therefore, the rate of return on Mr. Smith's investment was approximately 3.77%.

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marriott corporation: the cost of capital (abridged)how does marriott use its estimate of the cost of capital? does this make sense?

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your question makes sense. Marriott Corporation uses its estimate of the cost of capital to evaluate investment opportunities and make decisions regarding capital structure. By knowing the cost of capital, Marriott can determine whether an investment will generate sufficient returns to cover the cost of capital and create value for shareholders.

Marriott also uses the cost of capital as a benchmark for evaluating the performance of its various divisions and for making decisions regarding the allocation of resources. If a division's return on investment is lower than the cost of capital, Marriott may choose to reallocate resources to a more profitable division or to divest the underperforming division altogether.

Additionally, the cost of capital is used by Marriott in determining its capital structure, specifically the mix of debt and equity financing. By knowing the cost of each source of financing, Marriott can determine the optimal mix that minimizes the cost of capital and maximizes shareholder value.

In summary, Marriott Corporation uses its estimate of the cost of capital in a variety of ways, including evaluating investment opportunities, measuring divisional performance, and determining the optimal capital structure.

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Deposits of 1100 are placed into a fund at the beginning of each year for 23 years. At the end of year 35, annual payments commence and continue forever. Interest is at an effective annual rate of 9%. Calculate the annual payment.

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The answer of annual payment is $9,409.28.

How to calculate the annual payment of a perpetuity?

To calculate the annual payment, we need to first find the value of the fund at the end of year 34. This will be the present value of perpetuity that will provide the annual payment.

First, we find the future value of the 23 deposits of 1100 made at the beginning of each year for 23 years. We can use the formula for the future value of an annuity:

FV =[tex]P * ((1 + r)^n - 1) / r[/tex]

where:

P = payment amount = 1100

r = interest rate per period = 9% / 1 = 0.09

n = number of periods = 23

FV = 1100 * ((1 + 0.09[tex])^2^3[/tex] - 1) / 0.09

= 1100 * 33.87049639

= 37,257.54603

The future value of the deposits is 37,257.54603 at the end of year 23.

Next, we find the future value of the fund at the end of year 34. We can use the formula for the future value of a lump sum:

FV = [tex]PV * (1 + r)^n[/tex]

where:

PV = present value = 37,257.54603

r = interest rate per period = 9% / 1 = 0.09

n = number of periods = 11

FV = 37,257.54603 * (1 + 0.09[tex])^1^1[/tex]

= 104,547.5638

The value of the fund at the end of year 34 is 104,547.5638.

Finally, we can calculate the annual payment using the formula for the present value of a perpetuity:

PV = P / r

where:

P = payment amount (what we need to find)

r = interest rate per period = 9% / 1 = 0.09

PV = present value = 104,547.5638

P = PV * r

= 104,547.5638 * 0.09

= 9409.28374

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Help Save Su Check my w 3A 4 percent decrease in the price of milk causes a 16 percent decrease in the quantity demanded of chocolate syrup. What is the cross-price elasticity of demand for chocolate syrup with respect to the price of milk? Instructions: Enter your response as a whole number. If you are entering a negative number, be sure to include a negative sign (-) Cross-price elasticity of demand equals .The two goods are complementa v because when the cross price elasticity of demand is a) negative, the two goods are complements b) negative, the two goods are substitutes, c) positive, the two goods are complements. d) positive, the two goods are substitutes

Answers

The cross-price elasticity of demand equals 4. The two goods are complements because when the cross price elasticity of demand is positive, the two goods are complements. Therefore, the correct option is C.

To calculate the cross-price elasticity of demand for chocolate syrup with respect to the price of milk, you can use the following formula:

Cross-price elasticity of demand = (% change in quantity demanded of chocolate syrup) / (% change in price of milk)

First, identify the given information:

% change in price of milk = -4% (decrease)

% change in quantity demanded of chocolate syrup = -16% (decrease)

Now, plug the values into the formula:

Cross-price elasticity of demand = (-16%) / (-4%)

Cross-price elasticity of demand = 4

Since the cross-price elasticity of demand is positive, the two goods are complements, which corresponds to option C in the given choices. When two goods are complements, they experience joint demand which means that the demand of one good is linked to the demand for another good.

So, the cross-price elasticity of demand for chocolate syrup with respect to the price of milk is 4, and the two goods are complement.

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masterson company's budgeted production calls for 67,000 units in april and 63,000 units in may of a key raw material that costs $1.65 per unit. each month's ending raw materials inventory should equal 20% of the following month's budgeted materials. the april 1 inventory for this material is 13,400 units. what is the budgeted materials purchases for april?

Answers

The budgeted materials purchases for April are $109,230

How to calculate the budgeted materials purchases

The Masterson Company's budgeted production calls for 67,000 units in April and 63,000 units in May for a key raw material costing $1.65 per unit.

To calculate the budgeted materials purchases for April, we first need to determine the desired ending raw materials inventory for April, which should be 20% of May's budgeted materials (63,000 units).

April's desired ending inventory = 0.20 * 63,000 = 12,600 units

Now, we can calculate the total materials needed for April, considering both production and the desired ending inventory:

Total materials needed = Budgeted production + Desired ending inventory - Beginning inventory

Total materials needed = 67,000 + 12,600 - 13,400

Total materials needed = 66,200 units

Finally, to find the budgeted materials purchases for April, we multiply the total materials needed by the cost per unit:

Budgeted materials purchases = 66,200 * $1.65

Budgeted materials purchases = $109,230

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Malcolm's boss just came into his office, obviously upset, and said, "I'm tired of you being late all the time on these projects. You need to clean up your act!" Malcolm is likeliest to respond by

Answers

Malcolm's response to his boss's criticism is dependent on his personality, attitude, and work ethics. However, here are some possible ways he could respond:

Apologize and take responsibility, Malcolm might say, "I'm sorry for being late. You're right, it's not acceptable, and I take full responsibility for my actions. I'll do my best to ensure that it doesn't happen again."

Explain the situation: Malcolm might say, "I understand your frustration, but the reason I've been late is that I've been dealing with some personal issues that have affected my work schedule. I'm doing my best to resolve them and ensure that I'm on time with the upcoming projects."

Ask for feedback: Malcolm might say, "Thank you for bringing this to my attention. Can you give me some feedback on what I need to do differently to improve my performance? I'm willing to learn and make the necessary changes."

Get defensive: Malcolm might say, "I don't think I've been that late, and there were valid reasons for my delays. Besides, the projects still got done on time, right?"

Option 1 and 3 are the most constructive responses and show that Malcolm is willing to take ownership of his mistakes and improve his performance. Option 2 is also reasonable if there are legitimate reasons for his lateness. Option 4, on the other hand, is likely to make the situation worse and damage Malcolm's relationship with his boss.

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Ms. Anh maintains a savings deposit with VCB Ha Thanh branch. This past year Anh received 10.75 million VND in interest earnings from her savings account. Her savings deposit had the following average balance each month: (in million VND) January 40 July 351 February 25 August 42.51 March 30 September 55 April 15 October 601 May 22.5|November 62.5 June 30 December 30 What was the annual percentage yield (APY) earned on Anh's savings account?

Answers

The annual percentage yield (APY) earned on Anh's savings account is 5.17%.

To calculate the annual percentage yield (APY) earned on Anh's savings account, we need to use the following formula:

[tex]APY = (1 + r/n)^n - 1[/tex]

Where r is the annual interest rate, and n is the number of times interest is compounded in a year.

First, we need to calculate the total amount of interest earned by Anh during the year. We can do this by adding up the interest earnings from each month:

10.75 million VND = (40 x 0.5%) + (25 x 0.5%) + (30 x 0.5%) + (15 x 0.5%) + (22.5 x 0.5%) + (30 x 0.5%) + (351 x 0.6%) + (42.51 x 0.6%) + (55 x 0.6%) + (601 x 0.65%) + (62.5 x 0.65%) + (30 x 0.65%)

Next, we need to calculate the average monthly balance for the year. We can do this by adding up the balances for each month and dividing by 12:

Average monthly balance = [tex](40 + 25 + 30 + 15 + 22.5 + 30 + 351 + 42.51 + 55 + 601 + 62.5 + 30) / 12 = 104.38 million VND[/tex]
Now, we can use the formula to calculate the APY:

[tex]APY = (1 + r/n)^n - 1[/tex]
[tex]10.75 million VND = (104.38 million VND x r/12)^12 - 1r = 5.17%[/tex]

This means that for every 100 million VND in Anh's account, she earned 5.17 million VND in interest over the course of the year.

In conclusion, APY is an important factor to consider when choosing a savings account, as it reflects the actual return on your investment. By using the formula above, we can calculate the APY earned on Anh's savings account based on her average monthly balance and interest earnings.

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5. Consider the following MBS pass through with principal $300 million. The original mortgage pool has a WAM = 360 months (30 years) and a WAC = 7.00%. The pass through security pays a coupon equal to 6.5%. The PAC has an upper collar of 300% PSA and a lower collar of 85% PSA. (a) What is the price of each tranche? Assume a constant PSA = 150%. (b) Compute the effective duration of the two tranches assuming that the PSA increases to 200% if the term structure shifts down by 50 basis points, while it decreases to 120% if the term structure shifts up by 50 basis points. Which tranche is more sensitive to interest rate movements? Which tranche is less sensitive?

Answers

(a) The price of the tranche below the lower collar will be $225 million (300,000,000 x 6.5% x 150% = 225,000,000), while the price of the tranche above the upper collar will be $75 million (300,000,000 x 2.5% x 150% = 75,000,000).

The price of each tranche will be determined by the present value of future cash flows. The tranche below the lower collar (85%) will have an expected coupon of 6.5%, while the tranche above the upper collar (300%) will have an expected coupon of 2.5%.

(b) The effective duration of the two tranches will be affected by the PSA changes if the term structure shifts. The tranche below the lower collar will have an effective duration of 8.19 years (8.19 x 12 months = 98.28 months) if the PSA increases to 200%, while it will have an effective duration of 6.75 years (6.75 x 12 months = 81 months) if the PSA decreases to 120%.

The tranche above the upper collar will have an effective duration of 4.41 years (4.41 x 12 months = 52.92 months) if the PSA increases to 200%, while it will have an effective duration of 3.55 years (3.55 x 12 months = 42.6 months) if the PSA decreases to 120%.

The tranche below the lower collar is more sensitive to interest rate movements as it has a higher effective duration than the tranche above the upper collar. The tranche above the upper collar is less sensitive to interest rate movements as it has a lower effective duration than the tranche below the lower collar.

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Suppose that Firefox Corp. has announced it is going to repurchase stock instead of paying out dividends. What effect will the repurchase have on an investor who currently holds 110 shares and sells 11 of those shares back to the company in the repurchase at the market price per share of $18.6 (1.0., Wh are the values of the investor's shares and cash)? Enter your answers rounded to 2 DECIMAL PLACES What will be the value of the investor's shares after the share repurchase? 1841.4 Correct response: 1,841.410.01
What will be the value of the investor's cash after the share repurchase? 204.6 correct response: 204.60.01 Suppose the company changes its mind and decides to issue a 17% stock dividend instead of issuing a cash dividend or a repurchase. How would this action affect a shareholder who owns 110 shares of the stock? Enter your answers rounded to 2 DECIMAL PLACES How many shares will the fire have alter the stock dividend? Number What will be the price per share after the stock dividend? Number
What will be the value of the investor's shares after the stock dividend? Numbor What will be the value of the investor's cash ate the stock dividend? Number

Answers

After selling 11 shares back to the company, the investor will be left with 99 shares (110-11=99). The total value of the shares before the repurchase is $18.6 x 110 = $2046.

After the repurchase, the value of the investor's remaining shares will be (99 x $18.6) = $1841.4, rounded to 2 decimal places. The value of the cash received from the repurchase will be (11 x $18.6) = $204.6, rounded to 2 decimal places.

If the company issues a 17% stock dividend, the investor's number of shares will increase by 17% of 110, or 18.7 shares (0.17 x 110 = 18.7), rounded to the nearest whole share. The investor will then own 110 + 18.7 = 128.7 shares, which can be rounded down to 128 shares.

To determine the new price per share after the stock dividend, we need to calculate the total number of shares outstanding after the dividend. This is the original number of shares (110) plus the new shares issued as a dividend (18.7), which equals 128.7. The price per share after the dividend will be the same as the price before the dividend, since the total value of the shares outstanding has not changed.

The value of the investor's shares after the stock dividend will be 128 x $18.6 = $2380.80, rounded to 2 decimal places.

The investor will not receive any cash from a stock dividend, so the value of the investor's cash will remain unchanged at $0.

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How does the Scrum Master help the Product Owner? Select the three most appropriate answers.
Understanding product planning in an empirical environment
Finding techniques for effective Product Backlog management
Facilitating Scrum events as requested or needed
Introducing cutting edge development practices

Answers

The three most appropriate answers to the question "How does the Scrum Master help the Product Owner" are first 3 options.


1. Understanding product planning in an empirical environment: The Scrum Master helps the Product Owner by providing guidance on how to plan and prioritize the product backlog items in an empirical environment. This includes understanding the needs of the stakeholders, incorporating feedback, and making informed decisions based on data.
2. Finding techniques for effective Product Backlog management: The Scrum Master helps the Product Owner by finding effective techniques for managing the product backlog. This includes refining the backlog items, breaking them down into smaller pieces, and ensuring that they are prioritized based on business value.
3. Facilitating Scrum events as requested or needed: The Scrum Master helps the Product Owner by facilitating Scrum events such as Sprint Planning, Sprint Review, and Sprint Retrospective. The Scrum Master ensures that these events are effective and efficient, and that the Product Owner has the support they need to make informed decisions based on the team's progress.

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the relative importance of each facet of operational information is directly related to the degree to which a supply chain is positioned to function on a(n)

Answers

Supply chain management is operation of the inflow of goods, related to a product or service, from the procurement to final product. It's responsive, anticipant.

The relative significance of each hand of functional information is directly related to the degree to which a force chain is deposited to serve on a responsive or anticipant base

supply chain management deals with a system of procurement, operations , logistics and marketing channels so that the raw accoutrements can be converted into a finished product and delivered to the end client.

force chain operation is vital to society, furnishing the medium for getting products into the hands of consumers, from essential masses similar as food and drug to luxury particulars.

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be19.1 (lo 1) in 2020, amirante corporation had pretax financial income of $168,000 and taxable income of $120,000. the diff erence is due to the use of diff erent depreciation methods for tax and accounting purposes. the eff ective tax rate is 20%. compute the amount to be reported as income taxes payable at december 31, 2020.

Answers

The amount to be reported as profits taxes payable at December 31, 2020, is $14,400.

To calculate the amount to be stated as earnings taxes payable at December 31, 2020, we need to decide the amount of income taxes owed based at the taxable income.

The taxable earnings is $120,000, and the effective tax rate is 20%, so the profits tax owed is:

$120,000 x 0.20 = $24,000

However, the economic profits is $168,000, which is higher than the taxable earnings because of the distinction in depreciation strategies. which means the company has a deferred tax liability, that is the quantity of tax as a way to be paid in destiny years due to this temporary distinction.

The deferred tax legal responsibility can be calculated as follows:

Deferred tax legal responsibility = (monetary earnings - Taxable income) x Tax rate

Deferred tax liability = ($168,000 - $120,000) x 0.20

Deferred tax liability = $9,600

consequently, the amount to be reported as profits taxes payable at December 31, 2020, is:

Profits taxes payable = Tax owed - Deferred tax legal responsibility

Earnings taxes payable = $24,000 - $9,600

Earnings taxes payable = $14,400

The amount to be reported as profits taxes payable at December 31, 2020, is $14,400.

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In financial analysis, it is important to select an appropriate discount rate. A project's discount rate must be high to compensate investors for the project's risk. The return that shareholders require from the company as a compensation for their investment risk is referred to as the cost of equity. Consider this case:Markung's Co. is a 100% equity-financed company (no debt or preferred stock); hence, its WACC equals its cost of common equity. Markung's Co.'s retained earnings will be sufficient to fund its capital budget in the foreseeable future. The company has a beta of 1.65, the risk-free rate is 5.5%, and the market return is 7.2%. What is Markung's Co.'s cost of equity?a) 29.13%b) 8.31% c) 10.01% d) 19.08%

Answers

Markung's Co.'s cost of equity is 8.31%. Therefore, the correct option is B.

In order to calculate Markung's Co.'s cost of equity, we can use the Capital Asset Pricing Model (CAPM). The CAPM formula is as follows:

Cost of Equity = Risk-free rate + (Beta * (Market return - Risk-free rate))

Given the information provided:
Beta = 1.65
Risk-free rate = 5.5%
Market return = 7.2%

Let's plug the values into the CAPM formula:

Cost of Equity = 5.5% + (1.65 * (7.2% - 5.5%))

Cost of Equity = 5.5% + (1.65 * 1.7%)

Cost of Equity = 5.5% + 2.805%

Cost of Equity = 8.31%

So, cost of equity is 8.31% which corresponds to option B.

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who is the hub of the team management wheel and often acts in the main role of team leader, although all team members need to contribute to the activity?

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The hub of the team management wheel and the main role of the team leader is the Project Manager. The Project Manager is the main point of contact for the team and acts as a facilitator, making sure that everyone is working together as efficiently as possible.

They are responsible for setting the team goals and objectives, planning, organizing and controlling the team's activities, and providing guidance and direction to the team. They also need to ensure that the team members have the skills, knowledge and resources they need to complete the project.

The Project Manager also needs to be able to motivate the team and foster a cooperative, productive working environment. Ultimately, the success of the project depends on the Project Manager's ability to lead the team, coordinate resources, and ensure that everyone is working together to achieve the desired results.

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A company using a narrow target market in its business strategy is a. following a cost leadership business strategy.
b. focusing on a broad array of geographic markets. c. limiting the group of customer segments served.
d. decreasing the number of activities on its value chain.

Answers

When a company uses a narrow target market in its business strategy, it is limiting the group of customer segments served. So, the correct answer is c. limiting the group of customer segments served.

This means that the company is focusing on a specific group of customers who have similar needs, preferences, and characteristics. By doing so, the company can tailor its products or services to meet the specific needs of this group, which can lead to increased customer loyalty and profitability.

This strategy is also known as a niche strategy, and it is often used by small or specialized businesses. It is different from a cost leadership strategy (a) which focuses on minimizing costs to offer lower prices to customers, and from a broad geographic strategy (b) which focuses on expanding into different regions or countries.

It is also different from decreasing the number of activities on its value chain (d) which is a strategy to streamline operations and reduce costs.

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Calculate the future value of $9,000 in a. Four years at an interest rate of 9% per year. b. Eight years at an interest rate of 9% per year. c. Four years at an interest rate of 18% per year. d. Why is the amount of interest earned in part (a) less than half the amount of interest earned in part (b)? a. Four years at an interest rate of 9% per year. The future value of $9,000 in 4 years at an interest rate of 9% per year is $_____. (Round to the nearest dollar.)

Answers

a. The future value of $9,000 in 4 years at an interest rate of 9% per year is $12,962.

b. The future value of $9,000 in 8 years at an interest rate of 9% per year is $18,506.

c. The future value of $9,000 in 4 years at an interest rate of 18% per year is $16,542.

d. The amount of interest earned in part (a) is less than half the amount of interest earned in part (b) because of the effect of compounding

a) To calculate the future value of $9,000 in 4 years at an interest rate of 9% per year, we can use the following formula:

FV = PV x (1 + r)^n

Where PV is the present value, r is the interest rate, and n is the number of years.

Plugging in the numbers, we get:

FV = 9,000 x (1 + 0.09)^4 = $12,744.39

Therefore, the future value of $9,000 in 4 years at an interest rate of 9% per year is $12,744.39.

b) To calculate the future value of $9,000 in 8 years at an interest rate of 9% per year, we can use the same formula:

FV = PV x (1 + r)^n

Plugging in the numbers, we get:

FV = 9,000 x (1 + 0.09)^8 = $19,402.08

Therefore, the future value of $9,000 in 8 years at an interest rate of 9% per year is $19,402.08.

c) To calculate the future value of $9,000 in 4 years at an interest rate of 18% per year, we can again use the same formula:

FV = PV x (1 + r)^n

Plugging in the numbers, we get:

FV = 9,000 x (1 + 0.18)^4 = $17,713.28

Therefore, the future value of $9,000 in 4 years at an interest rate of 18% per year is $17,713.28.

d) The amount of interest earned in part (a) is less than half the amount of interest earned in part (b) because the interest earned is compounded annually.

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Assume that interest rates on 30-year Treasury and corporate bonds with different ratings, all of which are non-callable, are as follows:
Treasury bond: 7.72%
Corporate bond (AA rating): 8.72%
Corporate bond (A rating): 9.64%
Corporate bond (BBB rating): 10.18%

Answers

The interest rates on 30-year Treasury and corporate bonds with different ratings, the non-callable is: 30-year Treasury bond: 7.72%. The correct option is A.


In general, Treasury bonds are considered to be the safest investment because they are backed by the full faith and credit of the U.S. government. Therefore, they typically have lower interest rates compared to corporate bonds.

Corporate bonds, on the other hand, have varying interest rates depending on their credit ratings. Higher-rated bonds, such as AA and A-rated bonds, are considered to have a lower risk of default and therefore, offer lower interest rates than lower-rated bonds, such as BBB-rated bonds.

In this scenario, the interest rate on the 30-year Treasury bond is 7.72%. The interest rates on corporate bonds increase as their credit ratings decrease, with the AA-rated bond having an interest rate of 8.72%, the A-rated bond at 9.64%, and the BBB-rated bond at 10.18%.

This difference in interest rates represents the additional risk associated with investing in corporate bonds compared to Treasury bonds. Investors require higher returns on riskier investments to compensate for the potential loss in case of default.

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Complete question:

Assume that interest rates on 30-year Treasury and corporate bonds with different ratings, all of which are non-callable, are as follows:

a. Treasury bond: 7.72%

b. Corporate bond (AA rating): 8.72%

c. Corporate bond (A rating): 9.64%

d. Corporate bond (BBB rating): 10.18%

You are considering an investment in Justus Corporation's stock, which is expected to pay a dividend of $1.75 a share at the end of the year (D1 = $1.75) and has a beta of 0.9. The risk-free rate is 3.2%, and the market risk premium is 6.0%. Justus currently sells for $33.00 a share, and its dividend is expected to grow at some constant rate, g. Assuming the market is in equilibrium, what does the market believe will be the stock price at the end of 3 years? (That is, what is P3 ?) Round your answer to two decimal places. Do not round your intermediate calculations.

Answers

The market believes that the stock price will be $40.34 at the end of three years.

The current price of the stock, P0, can be calculated using the dividend discount model:

P0 = D1 / (r - g)

where r is the required rate of return and g is the expected constant growth rate of dividends. We are given D1, and we can calculate r as follows:

r = rf + β (rm - rf)

= 0.032 + 0.9 * 0.06

= 0.086

So, P0 = 1.75 / (0.086 - g)

We are also given that P0 = $33.00, so we can solve for g:

33 = 1.75 / (0.086 - g)

g = 0.035

Therefore, the expected constant growth rate of dividends is 3.5%. We can use the constant growth version of the dividend discount model to find P3:

P3 = D4 / (r - g)

= D1 * (1 + g)^3 / (r - g)

= 1.75 * (1.035)^3 / (0.086 - 0.035)

= $40.34

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T/F the types of questions classified by the amount and specificity of information desired and those classified by strategic purpose are mutually exclusive.

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False, the types of questions classified by the amount and specificity of information desired and those classified by strategic purpose are not mutually exclusive.

These classifications can overlap, and a question can serve multiple purposes depending on its context and intent.

Amount and specificity of information desired: Questions can be categorized based on the amount and specificity of information desired.

For example, open-ended questions allow for a more extensive and detailed response, while closed-ended questions typically require a specific answer, such as a "yes" or "no" response.

Questions can also vary in terms of the level of specificity desired, ranging from broad and general questions to narrow and specific ones. This classification helps in understanding the type of information that is being sought and the level of detail needed in the response.

Strategic purpose: Questions can also be classified based on their strategic purpose or intent. For example, diagnostic questions are designed to gather information and diagnose a situation or problem.

Probing questions are used to dig deeper into a topic or to prompt further elaboration. Clarifying questions seek to obtain additional details or clarification on a point.

Persuasive questions are aimed at influencing or convincing others, and reflective questions encourage introspection and self-reflection. These strategic purposes of questions can overlap, and a single question can serve multiple purposes depending on the context and the speaker's intent.

Overlapping classifications: Questions often do not fit neatly into one category and can overlap in terms of the amount of information desired and the strategic purpose.

For example, a question can be open-ended, seeking extensive information, and also serve a diagnostic purpose by probing for the root cause of a problem.

Similarly, a closed-ended question can also be used for clarification or to persuade someone to see a particular point of view. Questions can be flexible and versatile in their use, and their classification can vary depending on the specific context and communication goals.

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who is responsible for decisions about security strategy? it people shared: it leaders and business leaders business leaders consultants

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! In an organization, decisions about security strategy are typically the responsibility of both IT leaders and business leaders.

Understanding IT leaders and business leaders.

IT leaders, such as Chief Information Security Officers (CISOs) and IT managers, are responsible for the technical aspects of security, including identifying potential threats, implementing protective measures, and managing security systems.

Business leaders, such as CEOs and board members, play a crucial role in defining the organization's overall security goals, allocating resources, and ensuring that security policies align with business objectives.

Consultants may also be involved in the decision-making process, providing expert advice and guidance on industry best practices and emerging security trends.

By working together, IT leaders, business leaders, and consultants can create a comprehensive and effective security strategy that safeguards the organization's assets and supports its mission.

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with an adjustable-rate mortgage, the interest rate changes in response to the movement of ____ as a whole.

Answers

With an adjustable-rate mortgage, the interest rate changes in response to the movement of the market as a whole. Specifically, the interest rate of an adjustable-rate mortgage is tied to an index, such as the prime rate or the London Interbank Offered Rate (LIBOR). As the index moves up or down, so does the interest rate on the mortgage.

This means that the monthly mortgage payments can also change, potentially increasing or decreasing depending on the movement of the index. One advantage of an adjustable-rate mortgage is that it typically starts off with a lower interest rate than a fixed-rate mortgage. This can make the initial monthly payments more affordable, which is appealing to some borrowers. However, it's important to keep in mind that the interest rate and monthly payments can change over time, which can make budgeting more challenging.
Before deciding on an adjustable-rate mortgage, it's important to carefully consider your financial situation and your ability to handle potential interest rate increases. It's also a good idea to work closely with a trusted lender who can help you understand the risks and benefits of different types of mortgages.

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how are autosomal traits, including recessive genetic disoders that are carried in a population, related to mndels observatios of heredity?

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Autosomal traits, including recessive genetic disorders that are carried in a population, are related to Mendel's observations of heredity in that they follow the principles of Mendelian genetics. These traits are controlled by genes located on the autosomes (non-sex chromosomes) and are inherited in a predictable manner based on dominant and recessive alleles.

Mendel observed that traits were inherited independently, meaning that the inheritance of one trait did not affect the inheritance of another. This is known as the principle of independent assortment. In the case of autosomal traits, the inheritance of one trait is also independent of the inheritance of other traits on different chromosomes.
Furthermore, Mendel observed that the inheritance of traits was determined by the presence of dominant or recessive alleles. In the case of recessive genetic disorders, an individual must inherit two copies of the recessive allele in order to express the disorder. This is known as recessive inheritance and is consistent with Mendel's observations of inheritance based on dominant and recessive alleles.
Overall, the study of autosomal traits and recessive genetic disorders in populations demonstrates the continued relevance and application of Mendelian genetics in modern genetics research.

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Autosomal traits, including recessive genetic disorders, follow Mendel's observations of heredity through the transmission of genes from parents to offspring according to predictable patterns.

Mendel's observations of heredity, based on his experiments with pea plants, established the principles of segregation and independent assortment of genes. Autosomal traits, which are controlled by genes located on the 22 pairs of autosomes in humans, follow these principles by being transmitted from parents to offspring in predictable patterns. Recessive genetic disorders, such as cystic fibrosis and sickle cell anemia, are inherited in a recessive manner and can be carried by individuals without showing symptoms. These disorders can be passed on to offspring if both parents carry the recessive gene. The study of autosomal traits and genetic disorders provides evidence for the principles of heredity established by Mendel and has contributed to our understanding of inheritance patterns in humans.

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